
The Media Platform for
Emerging Markets Debt Investing
Emerging Markets Debt Autumn Symposium
The Next Generation in EM Debt Investing
An exciting online event that will discuss the very latest issues that are impacting emerging markets debt investing. Featuring leading experts and investors, the event will discuss the outlook for EM sovereign and corporate bonds, how the global macro environment will affect these, and include an analysis of risk factors going into 2027. The event will also examine more recent developments such as the rise in private credit, junk bonds and synthetic financing in EMD markets.
Who should attend: Institutional investors, asset owners, fund managers and hedge funds.
Delegate fee: The event is free for buy-side attendees. (Sell-side: £395 + VAT).
Agenda
10:00 (UK time)
Risk Factors in 2027 for Emerging Market Debt
Yasmine Ravai
Emerging Markets Fixed Income & FX Senior Portfolio Manager
Eurizon SLJ Capital
10:30
Synthetic Financing in EMD
Martjin Proos
Co-Head of EM Alternative Credit
Ninety One
11:00
Break
11:30
Global Macro Factors and EMD Sovereign Spreads
Nick Eisinger
Portfolio Manager and Head of EM Sovereign Strategy
JP Morgan Asset Management
12.00
Frontier Markets Local Currency Investing
Ulla Huotari
EMD & Frontier Portfolio Manager
Aktia
12.30
Break
13:30
The Rise of Junk Bonds in Emerging Market Debt
Luis Costa
Head of EM Strategy
Citi Research
14:00
An Assessment of Regional Factors: Asia, LATAM and EMEA
Gustavo Medeiros
Head of Macro Research
Ashmore Group
14:30
Private Capital in EM Debt
Pranav Khamar
Portfolio Manager
Gemcorp Capital
15:00
End



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